Issue of Notes under the ZAR10,000,000,000 Domestic Medium Term Note Programme ECSPONENT LIMITED IIncorporated in the Republic of South Africa Registration number: 1998/013215/06 JSE Code: ECS - ISIN: ZAE000179594 Debt Issuer Codes: ECSP and ECSD (“the Company” or “Ecsponent”) Notes Series number JSE Code ISIN Fixed Rate Notes 1 ECSFX1 ZAE000265393 Fixed Rate Notes 2 ECSFX2 ZAE000266813 Fixed Rate Notes 3 ECSFX3 ZAE000266821 Floating Rate Notes 1 ECSFL1 ZAE000265401 Zero Coupon Notes 1 ECSZR1 ZAE000265419 Issue of Notes under the ZAR10,000,000,000 Domestic Medium Term Note Programme The Company is pleased to announce that the Notes summarised in the table below will be issued and listed as detailed in the table. Fixed Rate Notes Fixed Rate Notes Fixed Rate Notes Series 1 Series 2 Series 3 Type of issue Tap Issue Tap issue Tap issue Number of Notes 10 400 16 700 22 000 Nominal amount of this Tranche R1 040 000 R1 670 000 R2 200 000 Issue Price per Preference Share R100 R100 R100 Issue date 14 May 2019 14 May 2019 14 May 2019 Interest Commencement Date 15 April 2019 15 April 2019 15 April 2019 Interest Rate 9% per annum, payable 10% per annum, payable 12% per annum, payable monthly in arrears on the monthly in arrears on the monthly in arrears on the third Monday of each third Monday of each month third Monday of each month month Implied yield N/A N/A N/A First interest payment date 20 May 2019 20 May 2019 20 May 2019 Interest periods Each period commencing Each period commencing on Each period commencing on (and including) an (and including) an Interest on (and including) an Interest Payment Date and Payment Date and ending on Interest Payment Date ending on (but excluding) (but excluding) the following and ending on (but the following Interest Interest Payment Date; excluding) the following Payment Date; provided provided that the first Interest Payment Date; that the Interest Period will provided that the first first Interest Period will commence on (and include) Interest Period will commence on (and include) the interest commencement commence on (and the interest date and end on (but include) the interest commencement date and exclude) 20 May 2019 (each commencement date and end on (but exclude) Interest Payment Date as end on (but exclude) 20 May 2019 (each Interest adjusted in accordance with 20 May 2019 (each Payment Date as adjusted the applicable Business Day Interest Payment Date as in accordance with the Convention). adjusted in accordance applicable Business Day with the applicable Convention). Business Day Convention). Any other items relating to the Actual / 365 Actual / 365 Actual / 365 particular method of calculating dividends Redemption Record Date 10 December 2021 14 January 2022 14 January 2022 Redemption Payment Date 14 December 2021 17 January 2022 17 January 2022 Redemption Amount R100 R100 R100 Floating Rate Notes Zero Coupon Notes Series 1 Series 1 Type of issue Tap issue Tap issue Number of Notes 23 250 2 300 Nominal amount of this Tranche R2 325 000 R230 000 Issue Price per Preference Share R100 R100 Issue date 14 May 2019 14 May 2019 Interest Commencement Date 15 April 2019 N/A Interest Rate Prime (which as at the Issue N/A Date is 10.25%) plus 1.5% per annum [nacm] payable monthly in arrears on the third Monday of each month Implied yield N/A 10.66% per annum (NACM) First interest payment date 20 May 2019 N/A Interest periods Each period commencing N/A on (and including) an Interest Payment Date and ending on (but excluding) the following Interest Payment Date; provided that the first Interest Period will commence on (and include) the interest commencement date and end on (but exclude) 20 May 2019 (each Interest Payment Date as adjusted in accordance with the applicable Business Day Convention). Any other items relating to the Actual / 365 Actual / 365 particular method of calculating dividends Redemption Record Date 10 December 2021 10 December 2021 Redemption Payment Date 13 December 2021 13 December 2021 Redemption Amount R100 R137.49 Following the listing of the additional notes detailed in this announcement, the total amount issued under the Note Programme is R35 638 000. Interest Record and Payment Dates in respect of the Notes Declaration and finalisation announcements will be released on SENS, in compliance with Schedule 4 Form A5 of the JSE Listings Requirements. Other relevant information in respect of the Notes: The Company shall be entitled to an administration fee in respect of the Notes of 0.25% per annum on the Initial Issue Price, inclusive of VAT, payable monthly in arrears on the Monthly Interest Payment Dates, in respect of the Fixed and Floating Rate Notes, and on redemption in respect of the Zero-Coupon Notes. The administration fee is subject to the Value-Added Tax Act of 1991. The Company has the right to recover the monthly administration fee, from the monthly interest on the Notes (plus the applicable VAT thereon) For more information about this announcement or the Ecsponent group, email: investor.relations@ecsponent.com or visit www.ecsponentlimited.com/investor-relations 13 May 2019 Pretoria Sponsor to Ecsponent Questco Corporate Advisory (Pty) Ltd Date: 13/05/2019 09:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of the information published on SENS. 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